Managing downside risk in financial markets Theory,practice and implementation.
Sortino Frank A Ed.
Managing downside risk in financial markets Theory,practice and implementation. - Oxford Butterworth Heinemann 2003 - xiv,267p cm.
92660
Textual
X65:(B28), P3
Managing downside risk in financial markets Theory,practice and implementation. - Oxford Butterworth Heinemann 2003 - xiv,267p cm.
92660
Textual
X65:(B28), P3
